Feb 18 (Reuters) - Open Text Corp OTEX.TO :
* OPEN TEXT CORP - ON FEBRUARY 18, CO ISSUED AND SOLD $900 MILLION OF 3.875% SENIOR UNSECURED FIXED RATE NOTES DUE 2028
* OPEN TEXT CORP - ON FEB 18, CO'S UNIT ISSUED & SOLD $900 MILLION IN AGGREGATE PRINCIPAL AMOUNT OF 4.125% SENIOR UNSECURED FIXED RATE NOTES DUE 2030
* OPEN TEXT CORP - INTENDS TO USE SUBSTANTIAL PORTION OF NET PROCEEDS FROM ABOVE OFFERINGS TO REFINANCE $1.55 BILLION IN OUTSTANDING DEBT